client, a leading financial institution in the banking industry, is seeking a highly skilled and experienced a strong background in credit analysis in the banking industry, excellent financial modeling skills, in the banking industry Strong analytical and financial modeling skills Knowledge of banking regulations
Matric Grade 12 With preferably Maths/and or Accounting . Must have clean IE Check on credits and qualifications. 18 - 29 years old. Based in Johannesburg & Pretoria Stippend R 6000 per Month. Financial Services GRADE 12 MATHS ACCOUNTING R 6000 Per month.
We have an exciting opportunity with one of our Banking clients in Rosebank, Johannesburg. This role sits qualification. Minimum of 5 years' experience within banking/financial sector. Sourcing and Governance and Risk from suppliers. Sourcing experience withing the banking/financial sector. SRM (Supplier Relationship Management)
and written). International Financial Reporting Standards. Auditing practises and principles. Applicable Prepares journal entries and reconciles general ledger and subsidiary accounts. Completes bank reconciliation reconciliation and cashbook entries. Analyses performance against budgets. Manages daily/monthly cash flows. Preparation
payroll statistical reports. Banking Administration: Administer banking activities, resolve queries, against budget. Journal Entries Processing: Process payroll-related journal entries. Bank Reconciliations: Prepare Prepare monthly payroll bank reconciliations. Control Accounts Reconciliation: Prepare monthly payroll
including accounts payable, bank, fixed assets, and general ledger entries. Reconcile bank statements with the accounts. Perform Accounts Payable; Fixed Assets; Bank; GL Recons. Audit file preparation. Relevant Finance
receipts and payments. Reconcile bank statements with cashbook entries regularly. Process cash transactions Investigate and resolve any discrepancies in cashbook entries. Liaise with other departments regarding cash-related documentation. Daily download and reconcile all the bank payments. Job Experience and Skills Required: Completed
receipts and payments. Reconcile bank statements with cashbook entries regularly. Process cash transactions Investigate and resolve any discrepancies in cashbook entries. Liaise with other departments regarding cash-related documentation. Daily download and reconcile all the bank payments. Job Experience and Skills Required: Completed
Join us as a Journal Controller and make every entry count towards our success My client is seeking a maintaining recurring journals, processing journal entries, resolving queries in a timely manner, and assisting Obtain Documentation: Obtain all necessary journal entries and supporting documentation. Ensure all ad hoc required documentation. Process Journal Entries: Execute journal entries accurately and efficiently. Ensure accounting standards and company policies. Query Resolution: Resolve queries related to journal entries within
Join us as a Journal Controller and make every entry count towards our success My client is seeking a maintaining recurring journals, processing journal entries, resolving queries in a timely manner, and assisting Obtain Documentation: Obtain all necessary journal entries and supporting documentation. Ensure all ad hoc required documentation. Process Journal Entries: Execute journal entries accurately and efficiently. Ensure accounting standards and company policies. Query Resolution: Resolve queries related to journal entries within